KK RENOVA header image

KK RENOVA

9519

Equity

ISIN JP3981200003 / Valor 35460610

Tokyo Stock Exchange (2024-12-25)
JPY 716.00-0.42%

KK RENOVA
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About company

KK RENOVA, a Portuguese company with origins dating back to 1818, specializes in the manufacture and sale of tissue paper products for domestic and sanitary use. Initially focused on writing, printing, and packaging paper, the company shifted its focus in the late 1950s to pioneering tissue paper products, establishing itself as a market leader in Portugal. Renova operates two industrial units and a logistics center in Portugal, as well as a production unit in Saint-Yorre, France, employing around 620 people as of 2021. The company is known for its innovative approach, continuously introducing new solutions to meet consumer needs and expectations. Renova's products, which include a range certified with the European Union Ecolabel, are available in over 70 countries across five continents.

Summarized from source with an LLMView SourceSector: Energy

Latest Results (20.08.2024):

Revenue Growth

KK RENOVA reported a significant increase in revenue for the fiscal year ended March 31, 2022. The company achieved a revenue of 29,207 million yen, marking a 42.1% year-on-year growth compared to the previous fiscal year's revenue of 20,553 million yen.

Operating Profit Decline

Despite the increase in revenue, KK RENOVA experienced a decline in operating profit for the fiscal year ended March 31, 2022. The operating profit was 1,581 million yen, a decrease of 86.3% from the previous fiscal year's operating profit of 11,507 million yen.

Net Profit Drop

KK RENOVA's net profit attributable to owners of the parent for the fiscal year ended March 31, 2022, was 874 million yen, which represents an 81.0% decrease from the previous fiscal year's net profit of 4,605 million yen.

EBITDA Increase

For the fiscal year ended March 31, 2022, KK RENOVA reported an EBITDA of 13,087 million yen, reflecting a 23.2% increase compared to the previous fiscal year's EBITDA of 10,620 million yen.

Cash Flow from Operating Activities

KK RENOVA's cash flow from operating activities for the fiscal year ended March 31, 2022, was 12,154 million yen, showing a slight decrease from the previous fiscal year's cash flow from operating activities of 12,469 million yen.

Summarized from source with an LLMView Source

Key figures

-29.8%1Y
-84.4%3Y
-40.2%5Y

Performance

59.0%1Y
65.1%3Y
63.7%5Y

Volatility

Market cap

643 M

Market cap (USD)

Daily traded volume (Shares)

366,600

Daily traded volume (Shares)

1 day high/low

728 / 708

1 day high/low (USD)

52 weeks high/low

0.00 / 0.00

52 weeks high/low (USD)

Dividend ex-date

01 January, 2022

Dividend ex-date

Dividend

0.00

Dividend (USD)

Dividend yield (p.a.)

0.00%

Dividend yield (p.a.)

0.002022
0.002023
0.002024

Est dividend (USD)

0.00%2022
0.00%2023
0.00%2024

Est dividend yield

P/E ratio

10.00

P/E ratio

00.002022
00.002023
00.002024

Est P/E ratio

EPS

0.00

EPS (USD)

0.002022
0.002023
0.002024

Est EPS (USD)

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